Horner v. Boston Edison Co.

695 N.E.2d 1093, 45 Mass. App. Ct. 139, 1998 Mass. App. LEXIS 506
CourtMassachusetts Appeals Court
DecidedJune 30, 1998
DocketNo. 97-P-0102
StatusPublished
Cited by24 cases

This text of 695 N.E.2d 1093 (Horner v. Boston Edison Co.) is published on Counsel Stack Legal Research, covering Massachusetts Appeals Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Horner v. Boston Edison Co., 695 N.E.2d 1093, 45 Mass. App. Ct. 139, 1998 Mass. App. LEXIS 506 (Mass. Ct. App. 1998).

Opinion

Greenberg, J.

On April 22, 1989, while making a security check at the defendant’s (Edison’s) Pilgrim Nuclear Plant, the plaintiff, Mark J. Horner, slipped and fell on a stairway with a missing tread. That mishap caused him serious injuries, which disabled him from working. At the time of the accident, Homer was an employee of Wackenhut Corporation (Wackenhut), which had a contract with Edison to provide security services at the plant. After filing a claim under G. L. c. 152 for workers’ [140]*140compensation benefits, he began receiving weekly payments from Wackenhut’s workers’ compensation insurer. The workers’ compensation case was eventually the subject of a lump sum settlement agreement approved by the Department of Industrial Accidents on May 1, 1991. The agreement submitted to the board permits Homer to bring a third-party action pursuant to G.L. c. 152, § 15.

In 1991, Homer sued Edison for negligence in causing the injuries suffered in the 1989 accident. At issue here is the validity of the release signed by Homer in July of 1988, as part of his original employment application with Wackenhut. The release, if valid, bars any suit by him against Edison for his injuries. Edison’s motion for summary judgment has been denied three times by different Superior Court judges. The last denial of Edison’s renewed motion for summary judgment was made after our unpublished decision issued in McKenzie v. Boston Edison Co., 40 Mass. App. Ct. 1112 (1996), in which a panel of this court held that the same release at issue here was valid, and we affirmed a summary judgment for Edison on that basis.1 The motion judge chose not to follow the reasoning in the McKenzie case. As a result, Edison brought an interlocutory appeal to a single justice of this court pursuant to G. L. c. 231, § 118, first par. The single justice denied relief but gave Edison permission to appeal to a full panel. See Swift v. American Mut. Ins. Co., 399 Mass. 373, 375 n.5 (1987).

There is a threshold issue. Edison argues that Homer’s claims in this case are controlled by our unpublished decision in the McKenzie case. For the very reason that the decision was unpublished, Edison’s argument is without merit. We have never suggested that summary decisions of this court issued pursuant to rale 1:28, as amended, 10 Mass. App. Ct. 942 (1980), may be relied upon or cited as authority in other cases. In fact, we reached the opposite conclusion in at least two other cases. See Lyons v. Labor Relations Commn., 19 Mass. App. Ct. 562, 566 n.7 (1985), S.C., 397 Mass. 498 (1986); Wolbach v. Beckett, 20 Mass. App. Ct. 302, 306 n.5 (1985). While we left open the possibility that a summary decision could be cited as precedent in a “related” case, we have had no occasion to do so. See Pur[141]*141vis v. Commissioner of Correction, 29 Mass. App. Ct. 190, 192 n.5 (1990), where we refused to rely upon a rule 1:28 decision cited by one of the parties “[w]ithout assessing any similarities and differences between that case and the present one.”

Edison’s argument on this point is that Homer’s case and the decision in McKenzie are “related” because both deal with the same release in an identical context. There is no question that the substantive issues are related and that for informational purposes the McKenzie case might have some value. However, as we said in Lyons, unpublished decisions involving other parties are not to be relied upon. 19 Mass. App. Ct. at 566. The most important factor is that summary decisions, although open to public examination, are made only by the panel of justices who decide the case. If a decision is to be a summary disposition order, it is not circulated to the other members of this court and reflects only the views of that particular three-judge panel. If a decision is to be published in the official reports of the court, it is circulated to all other justices who are free to make any comments or suggestions concerning the draft decision. That remains a crucial distinction because a published opinion represents the view of the entire court. See Sciaba Constr. Corp. v. Boston, 35 Mass. App. Ct. 181, 181 n.2 (1993).2

With that preliminary question answered, we turn to Homer’s various arguments that the release does not bar his third-party action. The question turns upon an agreement signed by Homer as part of his application for employment with Wackenhut in 1988. He signed a section entitled “Understanding and Agreements,” the pertinent part of which is set forth in the margin of our opinion.3

Of several arguments made by Homer, the principal one [142]*142adopted by the motion judge is that the release violates public policy because G. L. c. 152, § 15, specifically grants an employee the right to proceed to enforce liability against a third party whose negligence has caused the employee’s injury.4 Although Homer’s brief does not elaborate on the point, the essence of his position is that, if employers can compel employees, in exchange for hiring them, to forgo any redress for injuries caused by the negligence of the employer’s customers, those employers will have an advantage in the marketplace at the employees’ expense.

The theory has surface appeal, but once examined there are several flaws. In a variety of ways, the agreement is not inconsistent with the principal consideration that forms the basis of our workers’ compensation laws. The release does not require Homer to strip himself of compensation benefits for his injury, and allocation of risk by means of a release is generally not against public policy. See Gonsalves v. Commonwealth, 27 Mass. App. Ct. 606, 608 (1989). Further, the agreement does not cover all contingent liability. In exchange for employment, it extinguishes only the employee’s right to recover additional amounts as a result of a work-related injury for which the employee has already received workers’ compensation benefits. As stated in Edgin v. Entergy Operations, Inc., 331 Ark. 162, 168 (1998), in which on indistinguishable facts the Arkansas Supreme Court upheld the identical release, “the employee is merely agreeing to waive an additional remedy against a client of Wackenhut in exchange for employment.” In this respect, we cannot say that the agreement violates public policy by discouraging the employer or its clients from exercising care. Viewed as a whole, the release is not extracted by the employer as a shield against its own liability but rather as protection for its customers for those risks assumed by its employees who, in turn, are covered by workers’ compensation insurance.

[143]*143Enforcement of the release is not unconscionable. Homer does not claim that the release was concealed from him, that he signed it under duress, or that its contents were misrepresented. Cormier v. Central Mass. Chapter of the Natl. Safety Council, 416 Mass. 286, 288-289 (1993). The release specifically mentions that the employee is releasing any claims against customers of the employer that might arise under the workers’ compensation law. Nor does Homer argue that he could not have worked for any other employer if he did not sign the release. See Minassian v. Ogden Suffolk Downs, Inc., 400 Mass. 490, 493 (1987).

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Bluebook (online)
695 N.E.2d 1093, 45 Mass. App. Ct. 139, 1998 Mass. App. LEXIS 506, Counsel Stack Legal Research, https://law.counselstack.com/opinion/horner-v-boston-edison-co-massappct-1998.